Value funds

23 Direct-plan Growth funds ranked. Reference index for beta and alpha: NIFTY 500 TRI (total-return index where available).

Median 1 year
-2.89%
Median 3Y CAGR
+9.94%
Median 5Y CAGR
+10.94%
Median volatility 1Y
14.0%
Median Sharpe (3Y)
0.28
Median 5Y SIP
+8.67%
Median expense ratio
2.29%
Median AUM (Cr)
1,199

Best over 3 years

Quant Value Fund +19.28%
LIC MF Value Fund +16.79%
Axis Value Fund +16.57%
DSP Value Fund +15.37%
HDFC Value Fund +14.73%

All Value funds

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FundNAV3M6M1Y3Y CAGR5Y CAGRSharpeVol 1YExp. ratioAUM (Cr)Rank 1Y
LIC MF Value Fund
LIC Mutual Fund
30.87 2.09% 22.99% 19.65% 16.79% — 0.62 16.1% 1.86% 8 1/23
Quant Value Fund
quant Mutual Fund
23.04 -7.33% 17.52% 11.71% 19.28% — 0.70 17.2% 0.91% 467 2/23
Mahindra Manulife Value Fund
Mahindra Manulife Mutual Fund
12.22 -4.22% 8.23% 7.33% — — — 15.2% 1.05% 28 3/23
Axis Value Fund
Axis Mutual Fund
20.63 -0.10% 11.21% 5.31% 16.57% 15.38% 0.74 13.9% 0.93% 433 4/23
HDFC Value Fund
HDFC Mutual Fund
856.71 -1.26% 11.51% 3.99% 14.73% 13.13% 0.62 14.1% 1.11% 1,157 5/23
DSP Value Fund
DSP Mutual Fund
23.72 -3.42% 4.74% 3.47% 15.37% 12.26% 0.84 10.7% 1.54% 503 6/23
HSBC Value Fund
HSBC Mutual Fund
122.42 -4.49% 4.56% 0.28% 14.04% — 0.50 14.9% 0.89% 3,052 7/23
ITI Value Fund
ITI Mutual Fund
17.89 -4.99% 7.58% 0.02% 11.11% 11.00% 0.29 16.1% 1.42% 10 8/23
Groww Value Fund
Groww Mutual Fund
31.95 -2.89% 9.26% -0.99% 11.52% 10.88% 0.40 13.0% 1.62% 51 9/23
JM Value Fund
JM Financial Mutual Fund
106.64 -0.69% 14.25% -1.65% 11.28% 14.16% 0.30 17.0% 1.58% 138 10/23
Union Value Fund
Union Mutual Fund
29.28 -5.64% 4.46% -1.81% 10.79% 11.38% 0.32 14.7% 1.51% 7 11/23
Tata Value Fund
Tata Mutual Fund
382.15 -2.66% 4.25% -2.17% 11.52% 12.47% 0.35 14.3% 1.07% 2,066 12/23
Bandhan Value Fund
Bandhan Mutual Fund
161.84 -3.47% 5.38% -2.73% 9.09% 12.14% 0.23 12.5% 0.98% 1,130 13/23
Baroda BNP Paribas Value Fund
Baroda BNP Paribas Mutual Fund
13.59 -4.16% 3.00% -3.60% 7.80% — 0.12 13.0% 1.33% 20 14/23
Canara Robeco Value Fund
Canara Robeco Mutual Fund
18.24 -5.20% 3.52% -4.60% 9.54% 12.62% 0.25 13.7% 0.85% 112 15/23
Nippon India Value Fund
Nippon India Mutual Fund
231.45 -6.45% 2.68% -6.00% 11.98% 12.20% 0.39 14.5% 1.27% 925 16/23
UTI Value Fund
UTI Mutual Fund
172.19 -4.59% 3.05% -6.24% 10.62% 10.11% 0.34 13.4% 1.33% 837 17/23
Templeton India Value Fund
Franklin Templeton Mutual Fund
733.69 -7.07% -0.63% -7.25% 7.78% 11.75% 0.13 12.6% 1.11% 335 18/23
ICICI Prudential Value Fund (erstwhile Value Discovery Fund)
ICICI Prudential Mutual Fund
478.79 -5.76% -1.39% -7.64% 10.17% 12.67% 0.36 11.6% 1.09% 19,516 19/23
Sundaram Value Fund
Sundaram Mutual Fund
213.06 -5.42% 1.07% -8.11% 5.45% 6.99% -0.05 14.0% 1.78% 41 20/23
Quantum Value Fund
Quantum Mutual Fund
117.53 -5.07% 1.14% -9.38% 8.08% 8.63% 0.16 12.9% 1.14% 1,010 21/23
BANK OF INDIA VALUE FUND
Bank of India Mutual Fund
10.02 — — — — — — — 1.34% — —
NJ Value Fund
NJ Mutual Fund
9.11 — — — — — — — 2.39% — —

Returns are computed by Tradinity from each scheme's own published NAV, so they are net of the fund's expenses. Periods over one year are annualised (CAGR). Past performance does not indicate future returns. Only Growth-option schemes are ranked: an IDCW scheme pays cash out of its NAV, so its NAV understates what an investor earned.